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AB SICAV III Arya Alt Ptf I USD Acc - LU3227158113
Obiettivo di investimento dichiarato
The investment objective of the Portfolio is to seek to achieve attractive risk adjusted returns (that are uncorrelated to equity or fixed income returns) over the long term, by following a global multi-strategy investment approach.
Anagrafica e indicatori
| ISIN: LU3227158113 | Benchmark dichiarato: 100% Secured Overnight Financing Rate(SOFR) |
| Prezzo/Nav al 20/03/2026: 14,75 USD | Benchmark Morningstar: Morningstar US Con Tgt Alloc NR USD |
| Investimento minimo: 1.000.000,00 USD | Società di Gestione: AllianceBernstein |
| Categoria Morningstar: Alternativi Multistrategy USD | Valuta: USD |
Commissioni
| Commissioni | Da prospetto |
|---|---|
| Commissione di ingresso massima | 1,50% |
| Commissione di uscita massima | ND |
| Commissione di gestione | 1,05% |
| Commissione di performance | SI |
Rating e rischio
ESG
| Il prodotto tiene conto dei fattori di sostenibilità? ND |
Rendimenti
| Rendimenti | Fondo | Categoria |
|---|---|---|
| Rendimento YTD % | -0,17% | 2,50% |
| Rendimento 1 anno % | ND | 0,27% |
| Rendimento 3 anni % | ND | 5,85% |
| Rendimento 5 anni % | ND | 7,60% |
| Rendimento 10 anni % | ND | 3,88% |
Visualizzazione documentazione offerta
Fondi acquistabili
Il fondo AB SICAV III Arya Alt Ptf I USD Acc al momento non è acquistabile su FondiOnline.it. Puoi sottoscrivere in alternativa i seguenti fondi di AllianceBernstein.
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- AB EM Multi-Asset A USD - LU0633140560
- AB EM Multi-Asset C USD - LU0633141295
- AB Sustainable All Market A EUR - LU2211954693
- AB All Market Income A EUR H - LU1127386651
- AB All Market Income A USD - LU1127386735
- AB All Market Income AMG EUR H - LU1877325818
- AB All Market Income ANN EUR H - LU1877326386
- AB All Market Income ANN USD - LU1877325222
- AB All Market Income C USD - LU1127390927
- AB American Multi-Asset Ptf A EUR - LU2463030960
- AB American Multi-Asset Ptf A EUR H - LU2471912910
- AB American Multi-Asset Ptf A USD - LU2463028550
- AB American Multi-Asset Ptf AD EUR - LU2463030887
- AB American Multi-Asset Ptf AD EUR H - LU2471913058
- AB Asia Ex-Japan Eq A USD - LU0469268469
- AB Asia Ex-Japan Eq C EUR - LU0469270010
- AB Asia Ex-Japan Eq C USD - LU0469270366
- AB Global Climate Transition Eq A EUR - LU2701244530
- AB Global Climate Transition Eq A USD - LU2701244456
- AB Global Core Eq A EUR H - LU1061040009
- AB Global Core Eq A USD - LU1061039258
- AB Low Volatility Eq A EUR - LU1998907197
- AB Low Volatility Eq A EUR H - LU0861579778
- AB Low Volatility Eq A USD - LU0861579265
- AB Global Growth PortA EUR - LU2760007562
- AB Global Growth PortA USD - LU2760009188
- AB Global Growth PortAX EUR H - LU0997948285
- AB Global Growth PortAX USD - LU0175139822
- AB Global Growth PortCX USD - LU0203203202
- AB Global Growth PortEq A EUR H - LU1011998272
- AB Global Growth PortEq AXX USD - LU1011997381
- AB Global Growth PortEq C USD - LU1278601650
- AB Sustainable Glb Thematic A EUR H - LU0511383332
- AB Sustainable Glb Thematic A USD - LU0069063385
- AB Sustainable Glb Thematic AX USD - LU0057025933
- AB Sustainable Glb Thematic C USD - LU0462790428
- AB Global Value A USD - LU0124673897
- AB Global Value C USD - LU0129372966
- AB Sust Climate Solutions A EUR - LU2399897565
- AB Sust Climate Solutions A USD - LU2399897136
- AB All China Eq A EUR - LU2611180840
- AB All China Eq A USD - LU1808992512
- AB All China Eq C EUR - LU2611184750
- AB All China Eq C USD - LU2611184677
- AB India Growth A USD - LU0430678424
- AB India Growth C USD - LU0430679075
- AB Select Absolute Alpha A EUR - LU0787776219
- AB Select Absolute Alpha A EUR H - LU0736559278
- AB Select Absolute Alpha A USD - LU0736558973
- AB Global Real Estate Secs A USD - LU0074935502
- AB Global Real Estate Secs C EUR - LU0497119304
- AB Global Real Estate Secs C USD - LU0497119726
- AB Intl Health Care A USD - LU0058720904
- AB Intl Health Care C USD - LU0100122521
- AB Intl Technology A USD - LU0060230025
- AB Intl Technology C USD - LU0107368549
- AB Select US Equity A EUR - LU0787776565
- AB Select US Equity A EUR H - LU0683600646
- AB Select US Equity A USD - LU0683600562
- AB Select US Equity C USD - LU0772116835
- AB US Low Volatility Eq A EUR - LU2701244613
- AB US Low Volatility Eq A USD - LU2339504321
- AB American Growth A EUR H - LU0511403387
- AB American Growth A USD - LU0079474960
- AB American Growth C EUR H - LU0511403544
- AB American Growth C USD - LU0054403190
- AB Concentrated US Eq A EUR H - LU1011999080
- AB Concentrated US Eq A USD - LU1011998942
- AB Concentrated US Eq C USD - LU1011999320
- AB Sustainable US Thematic A EUR H - LU0520233601
- AB Sustainable US Thematic A USD - LU0124676726
- AB Sustainable US Thematic C USD - LU0129372610
- AB US Value A EUR - LU2801275749
- AB US Value A USD - LU2801275665
- AB US Small and Mid-Cap Eq A EUR H - LU0511384579
- AB US Small and Mid-Cap Eq A USD - LU0493246853
- AB US Small and Mid-Cap Eq C USD - LU0493247588
- AB Eurozone Growth AXX EUR Acc - LU0528102642
- AB Eurozone Growth AXX USD Acc - LU0528102998
- AB Eurozone Growth CXX EUR Acc - LU0528103459
- AB Eurozone Growth CXX USD Acc - LU0528103616
- AB European Eq A EUR - LU0124675678
- AB European Eq A USD - LU0232465038
- AB European Eq C EUR - LU0129373261
- AB European Growth A EUR - LU2760005947
- AB European Growth ANN EUR - LU2760009006
- AB European Growth ANN GBP - LU2760008966
- AB European Growth C EUR - LU2760008883
- AB Em Mkts Low Volatil Eq A EUR H Acc - LU1467541808
- AB Emerging Market Low Vol Eq A EUR - LU2820344922
- AB Emerging Market Low Vol Eq A USD - LU1005412207
- AB Emerging Market Low Vol Eq AD USD - LU1675838814
- AB Emerging Markets Growth A USD - LU0040709171
- AB Emerging Markets Growth C USD - LU0054846695
- AB RMB Income Plus A2 CNH - LU0633139042
- AB RMB Income Plus C2 CNH - LU0654558385
- AB European Income A2 EUR - LU0095024591
- AB European Income A2 USD - LU0232529965
- AB European Income AK EUR - LU0871809728
- AB European Income AT EUR - LU0173638916
- AB European Income C EUR - LU0095026026
- AB European Income C2 EUR - LU0102827648
- AB European Income CK EUR - LU0871809991
- AB SICAV I Sust Euro Hi Yld A2 EUR - LU0496384180
- AB SICAV I Sust Euro Hi Yld A2 USD - LU0496384693
- AB SICAV I Sust Euro Hi Yld AT EUR - LU0496384859
- AB SICAV I Sust Euro Hi Yld C2 EUR - LU0496388256
- AB Sust Glb Thematic Credit A2 EUR - LU2056363588
- AB Global Dynamic Bond A2 EUR H - LU1005411738
- AB Flexible Income A2X EUR H - LU1585237875
- AB Flexible Income A2X USD - LU1585236802
- AB Sustainable Income A2 USD - LU2339503604
- AB Sustainable Income AT EUR H - LU2339505484
- AB Sustainable Income AT USD - LU2339506029
- AB Global High Yield A2 EUR H - LU0448068782
- AB Global High Yield A2 USD - LU0102830865
- AB Global High Yield AK EUR - LU0871810148
- AB Global High Yield AK EUR H - LU0871810650
- AB Global High Yield AK USD - LU0871810064
- AB Global High Yield AT EUR H - LU0448041581
- AB Global High Yield AT USD - LU0156897901
- AB Global High Yield C USD - LU0081337197
- AB Global High Yield C2 EUR H - LU0448042399
- AB Global High Yield C2 USD - LU0128661278
- AB Global High Yield CT USD - LU0447424465
- AB Short Duration High Yield A2 EUR H - LU0654560878
- AB Short Duration High Yield A2 USD - LU0654559516
- AB Short Duration High Yield AT EUR H - LU0654560951
- AB Short Duration High Yield AT USD - LU0654559607
- AB Short Duration High Yield C2 USD - LU0654560019
- AB Short Duration High Yield CT USD - LU0800111998
- AB Global Plus Fixed Income A2 EUR H - LU0683598303
- AB Global Plus Fixed Income A2 USD - LU0683598212
- AB Global Plus Fixed Income AT EUR H - LU0683598642
- AB Global Plus Fixed Income AT USD - LU0683598568
- AB Short Duration Bond A2 EUR H - LU0511405085
- AB Short Duration Bond A2 USD - LU0102828612
- AB Short Duration Bond AT EUR - LU0328307573
- AB Short Duration Bond AT EUR H - LU0511405168
- AB Short Duration Bond AT USD - LU0156897653
- AB Short Duration Bond C2 USD - LU0100120822
- AB American Income A2 EUR H - LU0592505589
- AB American Income A2 USD - LU0095030564
- AB American Income AK EUR H - LU0871809488
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- AB EM Local Cur Debt A2 USD - LU0736561761
- AB Emerging Markets Debt A2 EUR H - LU0511406562
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- AB Emerging Markets Debt AT EUR H - LU0511406646
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- AB Emerging Markets Debt C2 EUR H - LU0511407024
- AB Emerging Markets Debt C2 USD - LU0246601925
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